Furthermore, profitability's effect on reducing "risk benchmark" coexists with profitability's effect on improving "incentive motivation".
盈利能力的“风险基准”降低作用与“激励动机”提升作用并存。
We deploy over 1,300 credit rating analysts to provide investors with ratings that represent a common risk benchmark across industry sectors and geographic regions, as well as over time.
我们拥有1300多名信用评级分析师,他们正在为投资者提供跨行业、跨区域、跨年代的一般风险水平。
We deploy over 1, 300 credit rating analysts to provide investors with ratings that represent a common risk benchmark across industry sectors and geographic regions, as well as over time.
我们拥有1300多名信用评级分析师,他们正在为投资者提供跨行业、跨区域、跨年代的一般风险水平。
Mr Major said risk appetite was looking increasingly fragile and fund managers who reached their benchmark return might well be inclined to "park" some capital in precious metal ETFs.
梅杰表示,风险偏好看上去日趋脆弱,已经实现基准回报率的基金经理,很可能倾向于把一部分资金“存放于”贵金属ETF中。
Mr Major said risk appetite was looking increasingly fragile and fund managers who reached their benchmark return might well be inclined to “park” some capital in precious metal ETFs.
梅杰表示,风险偏好看上去日趋脆弱,已经实现基准回报率的基金经理,很可能倾向于把一部分资金“存放于”贵金属ETF中。
The benchmark gauge of European sovereign risk also jumped to an all-time high.
欧洲主权债务危机风险的基准指数也创下最高历史记录。
For one thing, it's not clear that there is a viable alternative as the "risk-free" benchmark.
一方面,是否存在可作为“无风险”基准的可行替代品尚不清楚。
And, crucially, it provides the risk-free benchmark against which other credit is measured.
而且,关键的在于它为其他信贷方式提供了零风险的基准利率。
A sudden loss of confidence in all sovereign debt, and especially in American Treasuries, the world's benchmark "risk-free" asset, would have calamitous consequences in a still-fragile recovery.
对所有主权债突然的的信心丧失,特别是被当作世界无风险债券标竿的美国公债,将在仍然脆弱的经济复苏中造成灾难性的后果。
Performance is usually judged relative to rivals or to an industry benchmark, encouraging banks to mimic each other’s risk-taking, even if in the long run it benefits no one.
对于公司表现的判断往往是基于竞争对手的表现或者行业标准,这种判断鼓励银行去模仿彼此的冒险行为,即使从长远来看,这对任何公司都没有好处。
For when a bad credit customers for the duration of the benchmark lending rate will adjust interest rates or risk borrowers under certain conditions the rate broke surface.
对于届时有不良信用的客户,贷款利率将调整为期限基准利率或根据借款人风险状况进行一定幅度的上浮。
The estimation of interest rate of term structure has an important estate in financial research, for it is the benchmark for asset pricing, financial products design, hedging and risk management.
利率期限结构的估计在金融研究中有着重要的地位,它是资产定价、金融产品设计、保值和风险管理的基准。
It is the benchmark for asset pricing, financial product design, hedging, risk management, arbitrage and speculation.
它是资产定价、金融产品设计、保值和风险管理、套利及投机的基准。
These cut-off points provide a benchmark for individual assessment, but there is evidence that the risk of chronic disease from a BMI of 21 increases progressively.
这些取舍点提供了个体评估的基准,但有证据表明人群的慢性病风险从体重指数21开始渐趋上升。
The above prices are benchmark prices. Prices may be adjusted according to the customer's credit, risk or complexity of the transaction.
以上所列价格为基准价格,我分行有权根据客户资信状况、交易风险程度及业务复杂性的不同进行浮动。
The empirical evidence of 2003 indicates that the risk-adjusted performance is better than the market benchmark and the managers exhibit certain ability in selection of stocks.
实证结果表明,2003年我国开放式基金的收益率均高于市场基准组合;
It is the benchmark for asset pricing, financial product design, hedging, risk management and so on.
它是资产定价、金融产品设计、保值和风险管理等方面的基础。
The main objective is to beat the benchmark, whilst carefully managing downside risk. "she says."
主要的目标是实现超基准的回报率,同时对下跌风险进行谨慎管理,“她表示。”
The main objective is to beat the benchmark, whilst carefully managing downside risk. "she says."
主要的目标是实现超基准的回报率,同时对下跌风险进行谨慎管理,“她表示。”
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